The selling price currently displayed is higher than the buying price. This can occur temporarily for a variety of reasons; shortly before the market opens, after the market closes or because of extraordinary price volatility during the trading day.

OBJECTIVE

ETFS 3x Daily Short WTI Crude Oil (3CRS) is designed to enable investors to gain a three times 'short' exposure to a total return investment in WTI crude oil futures contracts by tracking the Bloomberg WTI Crude Oil Subindex (the "Index") and providing a collateral yield. A daily short exposure means that the product is designed to reflect minus three times the daily percentage change in the Index level. For example, if the Index was to rise in value by 5% on a particular day, the product is designed to decrease in value by 15% on that day (minus fees and expenses). 3CRS is an exchange traded commodity ("ETC"). It is not a UCITS product. Securities in this ETC are structured as debt securities and not as shares (equity) and can be created and redeemed on demand by authorised participants and are traded on exchange just like shares in a company. The ETC is backed by swaps. The payment obligations of the swap counterparties to the Issuer are protected by collateral held which is marked to market daily. The collateral is held in segregated accounts at The Bank of New York Mellon. Details of the collateral held can be found in the Collateral section of WisdomTree's website (www.wisdomtree.eu).

Leverage:

-300%

Currency hedging:

No

COSTS

Ongoing Charge (OCF/TER):

1.03%

Management fee:

0.98%

Indicative spread:

0.83%

In certain cases, where no TER or OCF is shown, additional
costs may apply. Please ensure you have read the Key Investor
Information Document, Factsheet, Prospectus and any other relevant
documentation prior to investing.

Trades priced above mid-price at the time a trade is placed are assumed buys, those priced below are
assumed sells. Trades priced close to mid-price or declared late are shown N/A. This is not a
recommendation. More information.

The London Stock Exchange does not disclose whether a trade is a buy or a sell so this data is
estimated based on the trade price received and the LSE-quoted mid-price at the point the trade is
placed. It should only be considered an indication and not a recommendation.

Trades priced above the mid-price at the time the trade is placed are labelled as a buy; those priced
below the mid-price are sells; and those priced close to the mid-price or declared late are labelled
‘N/A’.

ETFS -3X WTI recent trades

The London Stock Exchange does not disclose whether a trade is a buy or a sell so this data is
estimated based on the trade price received and the LSE-quoted mid-price at the point the trade is
placed. It should only be considered an indication and not a recommendation.

Trades priced above the mid-price at the time the trade is placed are labelled as a buy; those priced
below the mid-price are sells; and those priced close to the mid-price or declared late are labelled
‘N/A’.

Time / date

Buy / sell

Volume

Price

Value

16:29 - 13/09

Sell

2000

$5.44

$10,885.00

16:27 - 13/09

Buy

2052

$5.47

$11,214.18

16:03 - 13/09

Buy

1003

$5.38

$5,396.14

14:42 - 13/09

Buy

1003

$5.35

$5,363.54

14:29 - 13/09

Buy

1003

$5.33

$5,348.50

14:14 - 13/09

Sell

1003

$5.27

$5,285.81

13:51 - 13/09

Sell

1003

$5.25

$5,268.26

13:00 - 13/09

Buy

343

$5.35

$1,835.05

12:16 - 13/09

Sell

1003

$5.31

$5,328.44

12:02 - 13/09

Buy

4600

$5.34

$24,564.00

11:58 - 13/09

Sell

1003

$5.36

$5,378.59

11:38 - 13/09

Sell

1003

$5.39

$5,406.17

10:54 - 13/09

Sell

1003

$5.41

$5,426.23

09:46 - 13/09

Sell

1003

$5.51

$5,529.04

16:27 - 12/09

Sell

5641

$5.45

$30,743.45

15:40 - 12/09

Buy

100

$5.48

$547.75

15:12 - 12/09

Buy

1441

$5.41

$7,795.81

15:10 - 12/09

Sell

2550

$5.51

$14,056.88

15:10 - 12/09

Sell

2000

$5.51

$11,015.00

15:10 - 12/09

Sell

2003

$5.51

$11,031.52

15:10 - 12/09

Sell

40954

$5.51

$225,451.77

15:07 - 12/09

Buy

2550

$5.53

$14,088.75

14:16 - 12/09

Sell

189

$5.58

$1,053.90

14:15 - 12/09

Buy

4641

$5.57

$25,850.37

14:14 - 12/09

Buy

1003

$5.55

$5,566.65

14:14 - 12/09

Buy

3497

$5.55

$19,408.35

14:13 - 12/09

Buy

5366

$5.56

$29,808.13

14:03 - 12/09

Sell

2550

$5.56

$14,178.00

13:48 - 12/09

Sell

2550

$5.52

$14,063.25

13:38 - 12/09

Buy

1000

$5.43

$5,430.00

13:37 - 12/09

Buy

100

$5.46

$545.50

13:14 - 12/09

Sell

3365

$5.48

$18,440.20

13:07 - 12/09

Buy

1003

$5.39

$5,408.68

12:23 - 12/09

Sell

5000

$5.33

$26,650.00

11:39 - 12/09

Buy

2550

$5.33

$13,585.13

11:38 - 12/09

Buy

2550

$5.32

$13,553.25

11:38 - 12/09

Sell

3226

$5.32

$17,146.19

11:36 - 12/09

Sell

2500

$5.31

$13,275.00

11:13 - 12/09

Buy

100

$5.28

$528.00

11:13 - 12/09

Buy

900

$5.28

$4,752.00

11:12 - 12/09

Sell

1003

$5.27

$5,280.80

11:12 - 12/09

Sell

1496

$5.27

$7,876.44

09:22 - 12/09

Buy

3500

$5.09

$17,797.50

08:52 - 12/09

Buy

5257

$5.13

$26,942.13

08:43 - 12/09

Buy

5000

$5.13

$25,650.00

08:42 - 12/09

Buy

5000

$5.13

$25,625.00

08:24 - 12/09

Buy

2550

$5.14

$13,107.00

08:19 - 12/09

Buy

2550

$5.12

$13,043.25

08:02 - 12/09

Buy

2550

$5.12

$13,043.25

16:26 - 11/09

Sell

872

$4.88

$4,256.32

16:20 - 11/09

Sell

1003

$4.88

$4,893.64

15:42 - 11/09

Buy

2750

$4.78

$13,142.25

15:41 - 11/09

Buy

2677

$4.76

$12,742.52

15:39 - 11/09

Sell

2000

$4.74

$9,484.00

15:39 - 11/09

Buy

100

$4.74

$474.40

15:36 - 11/09

Buy

100

$4.72

$472.40

15:35 - 11/09

Sell

696

$4.76

$3,310.18

15:34 - 11/09

Buy

2000

$4.76

$9,512.00

15:34 - 11/09

Sell

100

$4.75

$475.30

15:32 - 11/09

Sell

704

$4.71

$3,313.02

15:29 - 11/09

Sell

1003

$4.71

$4,719.12

12:05 - 11/09

Sell

1003

$4.63

$4,645.90

11:26 - 11/09

Buy

1003

$4.63

$4,642.89

11:16 - 11/09

Sell

1003

$4.61

$4,625.84

11:10 - 11/09

Buy

1003

$4.60

$4,611.79

10:24 - 11/09

Buy

1003

$4.58

$4,589.73

10:17 - 11/09

Sell

3036

$4.60

$13,950.42

10:06 - 11/09

Buy

1003

$4.59

$4,607.78

09:59 - 11/09

Sell

1003

$4.57

$4,587.72

08:03 - 11/09

Buy

1003

$4.68

$4,695.04

08:00 - 11/09

Buy

20000

$4.68

$93,600.00

16:04 - 10/09

Buy

1003

$4.52

$4,532.56

15:57 - 10/09

Buy

189

$4.49

$848.72

14:58 - 10/09

Sell

2700

$4.57

$12,347.10

14:50 - 10/09

Sell

1003

$4.61

$4,623.83

14:49 - 10/09

Sell

100

$4.63

$462.50

14:41 - 10/09

Sell

1003

$4.65

$4,661.94

14:24 - 10/09

Buy

1003

$4.59

$4,598.76

14:11 - 10/09

Buy

1003

$4.51

$4,527.54

14:11 - 10/09

Buy

1003

$4.50

$4,515.51

13:55 - 10/09

Buy

1003

$4.56

$4,569.67

13:54 - 10/09

Sell

1003

$4.54

$4,557.63

13:42 - 10/09

Sell

1003

$4.52

$4,533.56

13:15 - 10/09

Buy

2700

$4.55

$12,274.20

13:10 - 10/09

Sell

1003

$4.53

$4,543.59

12:38 - 10/09

Sell

2700

$4.54

$12,260.70

12:32 - 10/09

Buy

1003

$4.56

$4,573.68

12:30 - 10/09

Buy

1003

$4.56

$4,568.67

12:24 - 10/09

Sell

1003

$4.57

$4,579.70

12:24 - 10/09

Sell

1003

$4.57

$4,582.71

11:59 - 10/09

Sell

1003

$4.60

$4,610.79

11:22 - 10/09

Sell

1003

$4.60

$4,611.79

08:23 - 10/09

Buy

1003

$4.65

$4,658.94

08:23 - 10/09

Buy

872

$4.64

$4,044.16

15:00 - 09/09

Sell

1003

$4.81

$4,827.44

14:44 - 09/09

Sell

2169

$4.78

$10,356.98

14:21 - 09/09

Sell

1003

$4.78

$4,795.34

14:18 - 09/09

Buy

1003

$4.76

$4,777.29

14:11 - 09/09

Sell

1925

$4.79

$9,220.75

11:30 - 09/09

Buy

2400

$4.96

$11,904.00

11:30 - 09/09

Sell

4236

$4.96

$21,010.56

09:15 - 09/09

Sell

5000

$4.95

$24,750.00

08:07 - 09/09

Sell

500

$4.86

$2,431.50

Time / dateTime

Buy / sellType

Volume

Price

Value

16:29 -
13/09
16:29
13/09

Sell

2000

$5.44

$10,885.00

16:27 -
13/09
16:27
13/09

Buy

2052

$5.47

$11,214.18

16:03 -
13/09
16:03
13/09

Buy

1003

$5.38

$5,396.14

14:42 -
13/09
14:42
13/09

Buy

1003

$5.35

$5,363.54

14:29 -
13/09
14:29
13/09

Buy

1003

$5.33

$5,348.50

Trades priced above mid-price at the time a trade is placed are assumed buys, those priced below are
assumed sells. Trades priced close to mid-price or declared late are shown N/A. This is not a
recommendation. More information.

The London Stock Exchange does not disclose whether a trade is a buy or a sell so this data is
estimated based on the trade price received and the LSE-quoted mid-price at the point the trade is
placed. It should only be considered an indication and not a recommendation.

Trades priced above the mid-price at the time the trade is placed are labelled as a buy; those priced
below the mid-price are sells; and those priced close to the mid-price or declared late are labelled
‘N/A’.

ETFS -3X WTI recent trades

The London Stock Exchange does not disclose whether a trade is a buy or a sell so this data is
estimated based on the trade price received and the LSE-quoted mid-price at the point the trade is
placed. It should only be considered an indication and not a recommendation.

Trades priced above the mid-price at the time the trade is placed are labelled as a buy; those priced
below the mid-price are sells; and those priced close to the mid-price or declared late are labelled
‘N/A’.

Data policy -
All information should be used for indicative purposes only. You should independently
check data before making any investment decision. HL cannot guarantee that the data is
accurate or complete, and accepts no responsibility for how it may be used.
Data provided by Funds Library.
Some of the data on this page and other related pages is provided to you for your
information and is received from the Fund Management Company administering this fund.
Hargreaves Lansdown accepts no liability for the reliability or accuracy of the data provided by third parties.
Securities lending data correct as at
date not available.
Charge data correct as at
30 June 2017.
Holdings correct as at
date not available.

Wealth 50 fund

Wealth 50 fund

Wealth 50 fund

This fund is on the Wealth 50 list of our favourite funds.

Wealth 50 fund

This fund is on the Wealth 50 list of our favourite funds.

The London Stock Exchange does not disclose whether a trade is a buy or a sell so this data is estimated based on the trade price received and the LSE-quoted mid-price at the point the trade is placed. It should only be considered an indication and not a recommendation.

Trades priced above the mid-price at the time the trade is placed are labelled as a buy; those priced below the mid-price are sells; and those priced close to the mid-price or declared late are labelled 'N/A'.

Our website offers information about investing and saving, but not personal advice. If you're not sure which investments are right for you, please request advice, for example from our financial advisers. If you decide to invest, read our important investment notes first and remember that investments can go up and down in value, so you could get back less than you put in.